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Provincial Waterworks Authority Annual Report 2023 237
Provincial Waterworks Authority
Statement of Cash Flow
For the year ended 30 September 2023
Unit : Baht
Financial Statement-equity method applied
2023 2022
Cash flow from financing activities
Cash payment for financial cost (382,349,365) (384,455,352)
Decrease in financial lease liabilities (2,232,236,362) (2,231,916,918)
Increase in deferred revenue from government subsidies 2,324,104,491 3,415,895,836
Cash received from long-term loan 5,791,283,008 5,174,440,447
Cash repaid from long-term loan (3,824,436,371) (3,883,351,031)
Cash payment for bond issue cost (580,748) (785,047)
Remittance to the Ministry of Finance (1,276,675,593) (1,505,400,000)
Net cash flow received from financing activities 399,109,060 584,427,935
Net decrease in cash and cash equivalents (1,434,355,309) (2,152,102,487)
Cash and cash equivalents at the beginning of the year 6,999,383,073 9,151,485,560
Cash and cash equivalents at the end of the year 5,565,027,764 6,999,383,073
Non-cash items
Accounts payable from purchase of property, plant and equipment 3,499,198 1,070,004
Accounts payable from purchase of assets under construction 960,213,226 1,086,817,498
The accompanying notes are an integral part of these financial statements.

